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31.
We propose an iterative method of estimation for discrete missing data problems that is conceptually different from the Expectation–Maximization (EM) algorithm and that does not in general yield the observed data maximum likelihood estimate (MLE). The proposed approach is based conceptually upon weighting the set of possible complete-data MLEs. Its implementation avoids the expectation step of EM, which can sometimes be problematic. In the simple case of Bernoulli trials missing completely at random, the iterations of the proposed algorithm are equivalent to the EM iterations. For a familiar genetics-oriented multinomial problem with missing count data and for the motivating example with epidemiologic applications that involves a mixture of a left censored normal distribution with a point mass at zero, we investigate the finite sample performance of the proposed estimator and find it to be competitive with that of the MLE. We give some intuitive justification for the method, and we explore an interesting connection between our algorithm and multiple imputation in order to suggest an approach for estimating standard errors.  相似文献   
32.
On-time delivery is the need for customer satisfaction which is a critical factor in the survival of the semiconductor industry. The on-time-delivery performance of the whole semiconductor turnkey service depends on the performance of the back-end factories. Unfortunately, undesirable and inevitable production variations make it difficult to maintain and improve a factory's performance and more objectives such as cycle time, throughput rate and the due-date accuracy need to be simultaneously considered. This paper presents an exception management model in order to compromise the contradicting needs of delivery accuracy, throughput rate and cycle time. The exception model can be divided into three parts: (1) an integrated performance index is proposed to compromise multiple performance measures; (2) an AWDL (available WIP deviation level) determination model is designed to gather proper AWDLs for triggering exceptions and (3) a WIP correction action is proposed to make abnormal WIP levels back to normal levels as soon as possible. To evaluate the proposed WIP exception management model, a simulation model is constructed and experiments are then conducted. The simulation results show that the proposed model helps back-end factories to set proper exception triggering conditions, reduce uncertainty occurrences and achieve better performances on due dates.  相似文献   
33.
Most models for incomplete data are formulated within the selection model framework. Pattern-mixture models are increasingly seen as a viable alternative, both from an interpretational as well as from a computational point of view (Little 1993, Hogan and Laird 1997, Ekholm and Skinner 1998). Whereas most applications are either for continuous normally distributed data or for simplified categorical settings such as contingency tables, we show how a multivariate odds ratio model (Molenberghs and Lesaffre 1994, 1998) can be used to fit pattern-mixture models to repeated binary outcomes with continuous covariates. Apart from point estimation, useful methods for interval estimation are presented and data from a clinical study are analyzed to illustrate the methods.  相似文献   
34.
A Bayesian discovery procedure   总被引:1,自引:0,他引:1  
Summary.  We discuss a Bayesian discovery procedure for multiple-comparison problems. We show that, under a coherent decision theoretic framework, a loss function combining true positive and false positive counts leads to a decision rule that is based on a threshold of the posterior probability of the alternative. Under a semiparametric model for the data, we show that the Bayes rule can be approximated by the optimal discovery procedure, which was recently introduced by Storey. Improving the approximation leads us to a Bayesian discovery procedure, which exploits the multiple shrinkage in clusters that are implied by the assumed non-parametric model. We compare the Bayesian discovery procedure and the optimal discovery procedure estimates in a simple simulation study and in an assessment of differential gene expression based on microarray data from tumour samples. We extend the setting of the optimal discovery procedure by discussing modifications of the loss function that lead to different single-thresholding statistics. Finally, we provide an application of the previous arguments to dependent (spatial) data.  相似文献   
35.
Summary.  Estimation of the number or proportion of true null hypotheses in multiple-testing problems has become an interesting area of research. The first important work in this field was performed by Schweder and Spjøtvoll. Among others, they proposed to use plug-in estimates for the proportion of true null hypotheses in multiple-test procedures to improve the power. We investigate the problem of controlling the familywise error rate FWER when such estimators are used as plug-in estimators in single-step or step-down multiple-test procedures. First we investigate the case of independent p -values under the null hypotheses and show that a suitable choice of plug-in estimates leads to control of FWER in single-step procedures. We also investigate the power and study the asymptotic behaviour of the number of false rejections. Although step-down procedures are more difficult to handle we briefly consider a possible solution to this problem. Anyhow, plug-in step-down procedures are not recommended here. For dependent p -values we derive a condition for asymptotic control of FWER and provide some simulations with respect to FWER and power for various models and hypotheses.  相似文献   
36.
Summary.  Recently several studies have analysed active labour market policies by using a recently proposed matching estimator for multiple programmes. Since there is only very limited practical experience with this estimator, this paper checks its sensitivity with respect to issues that are of practical importance in this kind of evaluation study. The estimator turns out to be fairly robust to several features that concern its implementation. Furthermore, the paper demonstrates that the matching approach per se is no panacea for solving all the problems of evaluation studies, but that its success depends critically on the information that is available in the data. Finally, a comparison with a bootstrap distribution provides some justification for using a simplified approximation of the distribution of the estimator that ignores its sequential nature.  相似文献   
37.
This paper reviews global and multiple tests for the combination ofn hypotheses using the orderedp-values of then individual tests. In 1987, Röhmel and Streitberg presented a general method to construct global level α tests based on orderedp-values when there exists no prior knowledge regarding the joint distribution of the corresponding test statistics. In the case of independent test statistics, construction of global tests is available by means of recursive formulae presented by Bicher (1989), Kornatz (1994) and Finner and Roters (1994). Multiple test procedures can be developed by applying the closed test principle using these global tests as building blocks. Liu (1996) proposed representing closed tests by means of “critical matrices” which contain the critical values of the global tests. Within the framework of these theoretical concepts, well-known global tests and multiple test procedures are classified and the relationships between the different tests are characterised.  相似文献   
38.
This article describes a method for partitioning with respect to a control for the situation in which the treatment sample sizes are unequal and also for the situation where the treatment sample sizes are equal except for a few missing values. Calculation of the critical values required for finding confidence limits is discussed and tables are presented for the “almost equal” sample size case. An application of this method to length of stay data for congestive heart failure patients is also provided.  相似文献   
39.
Abstract

We consider multiple linear regression models under nonnormality. We derive modified maximum likelihood estimators (MMLEs) of the parameters and show that they are efficient and robust. We show that the least squares esimators are considerably less efficient. We compare the efficiencies of the MMLEs and the M estimators for symmetric distributions and show that, for plausible alternatives to an assumed distribution, the former are more efficient. We provide real-life examples.  相似文献   
40.
In this article, we propose a multivariate random forest method for multiple responses of mixed types with missing responses. Imputation is performed for each bootstrap sample used to build the individual trees that form the forest. The individual trees are built using a weighted splitting rule allowing downweighting of imputed observations. A simulation study shows the benefits of this approach over complete case analysis when missing responses are missing completely at random and missing at random (MAR). In particular, the gain in prediction accuracy of the proposed method is larger in the MAR case and also increases as the proportion of missing increases.  相似文献   
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